PACIFICAMERICA HOME EQ LN AB NOTES SERIES 1998-2F CLASS A-F
8-K, 1999-02-11
ASSET-BACKED SECURITIES
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                           SECURITIES AND EXCHANGE COMMISSION
                                 Washington, D.C.  20549


                                        FORM 8-K


                     Current Report Pursuant To Section 13 or 15(d) of
                            the Securities Exchange Act of 1934

           Date of Report (Date of earliest event reported):  December 28,
           1998.


                                THE PROVIDENT BANK
          (The Provident Bank, as Seller (the "Seller"), as Document Custodian
          (the "Document Custodian") and as Master Servicer (the "Master
          Servicer"), and Bankers Trust Company of California, N.A., as
          Trustee).


          PROVIDENT BANK HOME EQUITY LOAN TRUST 1998-2 HOME EQUITY LOAN
                    ASSET-BACKED CERTIFICATES, SERIES 1998-2.
             (Exact name of Registrant as specified in its Charter)


                                      OHIO
                     (State or Other Jurisdiction of Incorporation)

           333-45369                      31-0412725
          (Commission File Number)        (I.R.S. Employer Identification No.)
						

          ONE EAST FOURTH STREET
          CINCINNATI, OHIO                             45202
          (Address of principal executive offices)     (Zip Code)


          Registrant's Telephone Number, Including Area Code:  (513) 579-2000


          Item 5.     Other Events

               Attached hereto is a copy of the Monthly Remittance Statements
          to the Certificateholders which was derived from the monthly
          information submitted by the Master Servicer of the Trust to the
          Trustee.


          Item 7.     Financial Statement and Exhibits

          Exhibits:     (as noted in Item 5 above)


          Monthly Report to Certificateholders as to distributions made on
          December 28, 1998.

          Monthly Report to Certificateholders as to distributions made on
          January 25, 1999.


                                      SIGNATURE


               Pursuant to the requirements of the Securities Exchange Act of
          1934, the Registrant has duly caused this report to be signed on
          its behalf by the undersigned, hereunto duly authorized.


                                     Bankers Trust Company of California, N.A.,
                                     not in its individual capacity, but solely
                                     as a duly authorized agent of the
                                     Registrant pursuant to the Pooling and
                                     Servicing Agreement, dated as of March 1,
                                     1998.


          Date:  January 29, 1999       By:  /s/ Judy L. Gomez
                                        Judy L. Gomez
                                        Assistant Vice President


                                  EXHIBIT INDEX

 
          DOCUMENT:


          Monthly Report to Certificateholders as to distributions made on
          December 28, 1998.

          Monthly Report to Certificateholders as to distributions made on
          January 25, 1999.







PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          1     28,439,000.00  24,179,281.38     199,288.97     837,601.46   1,
>036,890.43           0.00           0.00  23,341,679.92
          2     12,902,000.00  12,902,000.00     106,340.06           0.00
>106,340.06           0.00           0.00  12,902,000.00
          3     13,369,000.00  13,369,000.00     110,189.14           0.00
>110,189.14           0.00           0.00  13,369,000.00
          4     10,191,000.00  10,191,000.00      83,995.63           0.00
> 83,995.63           0.00           0.00  10,191,000.00
          5     12,571,000.00  12,571,000.00     103,611.92           0.00
>103,611.92           0.00           0.00  12,571,000.00
          6     36,512,000.00  29,007,450.97     232,641.67   1,344,439.70   1,
>577,081.37           0.00           0.00  27,663,011.27
          7-1   23,528,000.00  23,528,000.00     193,921.02           0.00
>193,921.02           0.00           0.00  23,528,000.00
          7-2   97,488,000.00  97,488,000.00     781,860.19           0.00
>781,860.19           0.00           0.00  97,488,000.00
          R1             0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00


TOTALS         235,000,000.00 223,235,732.35   1,811,848.60   2,182,041.16   3,
>993,889.76           0.00           0.00 221,053,691.19

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          1       PB9802101       850.215598       7.007594      29.452564
> 36.460158     820.763034       8.991423%     10.590981%
          2       PB9802102     1,000.000000       8.242138       0.000000
>  8.242138   1,000.000000       9.890565%      9.884915%
          3       PB9802103     1,000.000000       8.242138       0.000000
>  8.242138   1,000.000000       9.890565%      9.884915%
          4       PB9802104     1,000.000000       8.242138       0.000000
>  8.242138   1,000.000000       9.890565%      9.884915%
          5       PB9802105     1,000.000000       8.242138       0.000000
>  8.242138   1,000.000000       9.890565%      9.884915%
          6       PB9802106       794.463491       6.371650      36.821859
> 43.193508     757.641632       8.749163%      9.626681%
          7-1     PB9802107     1,000.000000       8.242138       0.000000
>  8.242138   1,000.000000       9.890565%      9.884915%
          7-2     PB9802108     1,000.000000       8.020066       0.000000
>  8.020066   1,000.000000       8.749163%      9.626681%
          R1      PB9802109         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%


SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  November 30, 1998
>                          Irvine, CA 92614
DISTRIBUTION DATE:            December 28, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 4
>                            (c) COPYRIGHT 1998 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    28,439,000.00  24,179,281.38     112,868.36     837,601.46
>950,469.82           0.00           0.00  23,341,679.92
          A2    12,902,000.00  12,902,000.00      66,445.30           0.00
> 66,445.30           0.00           0.00  12,902,000.00
          A3    13,369,000.00  13,369,000.00      69,964.43           0.00
> 69,964.43           0.00           0.00  13,369,000.00
          A4    10,191,000.00  10,191,000.00      53,672.60           0.00
> 53,672.60           0.00           0.00  10,191,000.00
          A5    12,571,000.00  12,571,000.00      68,092.92           0.00
> 68,092.92           0.00           0.00  12,571,000.00
          A6    36,512,000.00  29,007,450.97     131,983.90   1,344,439.70   1,
>476,423.60           0.00           0.00  27,663,011.27
          A-7-1 23,528,000.00  23,528,000.00     112,631.95           0.00
>112,631.95           0.00           0.00  23,528,000.00
          A-7-2 97,488,000.00  97,488,000.00     466,689.19           0.00
>466,689.19           0.00           0.00  97,488,000.00
          X1             0.00           0.00     313,671.18           0.00
>313,671.18           0.00           0.00           0.00
          X2             0.00           0.00     415,828.77           0.00
>415,828.77           0.00           0.00           0.00
          R2             0.00           0.00         197.26           0.00
>    197.26           0.00           0.00           0.00


**This statement is also available on Bankers Trust's Website, http://online.ba
>nkerstrust.com/invr/.
We begin posting statements to the Web at 7:00 p.m. Eastern Time on the busines
>s day before each
distribution date.


TOTALS         235,000,000.00 223,235,732.35   1,812,045.86   2,182,041.16   3,
>994,087.02           0.00           0.00 221,053,691.19

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1      743844BG6       850.215598       3.968788      29.452564
> 33.421352     820.763034       5.092340%      5.674380%
          A2      743844BH4     1,000.000000       5.150000       0.000000
>  5.150000   1,000.000000       6.180000%      6.180000%
          A3      743844BJ0     1,000.000000       5.233333       0.000000
>  5.233333   1,000.000000       6.280000%      6.280000%
          A4      743844BK7     1,000.000000       5.266667       0.000000
>  5.266667   1,000.000000       6.320000%      6.320000%
          A5      743844BL5     1,000.000000       5.416667       0.000000
>  5.416667   1,000.000000       6.500000%      6.500000%
          A6      743844BM3       794.463491       3.614809      36.821859
> 40.436667     757.641632       4.963636%      0.000000%
          A-7-1   743844BN1     1,000.000000       4.787145       0.000000
>  4.787145   1,000.000000       5.222340%      5.804380%
          A-7-2   743844BN1     1,000.000000       4.787145       0.000000
>  4.787145   1,000.000000       5.222340%      5.804380%
          X1      PB9802201         0.000000       1.334771       0.000000
>  1.334771       0.000000       3.890886%      4.397368%
          X2      PB9802202         0.000000       1.769484       0.000000
>  1.769484       0.000000       3.944763%      5.406711%
          R2      PB9802203         0.000000       0.000839       0.000000
>  0.000839       0.000000       0.000000%      0.000000%


SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  November 30, 1998
>                          Irvine, CA 92614
DISTRIBUTION DATE:            December 28, 1998
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 2 of 4
>                            (c) COPYRIGHT 1998 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders


Distribution Date:            December 28, 1998

DELINQUENT AND
>                LOANS          LOANS          LOANS
FORECLOSURE LOAN                                30 TO 59       60 TO 89
>90 PLUS          IN             IN             IN
INFORMATION                                       DAYS           DAYS
> DAYS        FORECLOSURE        REO        BANKRUPTCY
   GROUP 1     PRINCIPAL BALANCE               1,338,141.98     551,026.61   1,
>120,059.69   1,184,508.00           0.00     469,864.77
PERCENTAGE OF POOL BALANCE                           1.3953%        0.5745%
>    1.1679%        1.2351%        0.0000%        0.4899%
NUMBER OF LOANS                                          19              9
>        15             17              0              6
PERCENTAGE OF LOANS                                  1.2752%        0.6040%
>    1.0067%        1.1409%        0.0000%        0.4027%
   GROUP 2     PRINCIPAL BALANCE               1,256,464.61     827,923.32   1,
>819,328.96   1,554,315.05           0.00     591,157.11
PERCENTAGE OF POOL BALANCE                           1.0038%        0.6614%
>    1.4535%        1.2417%        0.0000%        0.4723%
NUMBER OF LOANS                                          16              9
>        22             21              0              7
PERCENTAGE OF LOANS                                  1.2520%        0.7042%
>    1.7214%        1.6432%        0.0000%        0.5477%
Note:  Quantity and Principal Balance of Foreclosures, Bankruptcies, & REOs are
> Included in the Delinquency Figures.


>                              GROUP 1        GROUP 2

BOOK VALUE OF LOANS IN REO:
>                                    0.00           0.00

NUMBER OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT
>                                       2              2
PRINCIPAL BALANCE OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE
>NT                            133,418.72     163,178.34

WEIGHTED AVERAGE MORTGAGE INTEREST RATE:
>                               10.570565%     10.304079%

WEIGHTED AVERAGE REMAINING TERM TO MATURITY
>                                     255            354

PRIOR NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                   1,504          1,287
CURRENT NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                   1,490          1,278

PRIOR AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           96,743,812.55 126,515,994.52

CURRENT AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           95,906,211.09 125,171,554.82
POOL FACTOR OF LOAN GROUPS
>                               94.953325%     93.397289%

NUMBER OF LOANS SUBJECT TO PRINCIPAL PREPAYMENTS
>                                      14              9


               SCHEDULE PRINCIPAL RECEIVED
>                              102,991.98      64,865.63
               PREPAYMENTS IN FULL
>                              734,609.84   1,279,574.47
               CURTAILMENTS
>                                   (0.36)         (0.40)
               LIQUIDATIONS
>                                    0.00           0.00
               INSURANCE PRINCIPAL PROCEEDS
>                                    0.00           0.00
               REPURCHASED PRINCIPAL AMOUNTS
>                                    0.00           0.00


TOTAL PRINCIPAL RECEIVED:
>                              837,601.46   1,344,439.70

SERVICER ADVANCES:
>                              147,975.49     231,020.58

CUM NET FUNDS CAP CARRYOVER AMOUNT WITH RESPECT TO A-6 CERTIFICATES
>                                                   0.00
3 MONTH ROLLING AVERAGE OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT
>                                           1,749,085.16
                                                                Page 3 of 4
>                            (c) COPYRIGHT 1998 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders


Distribution Date:            December 28, 1998


>                              GROUP 1        GROUP 2

SCHEDULED INTEREST
>                              852,197.33   1,086,359.02
LIQUIDATION INTEREST
>                                    0.00           0.00
REPURCHASE INTEREST
>                                    0.00           0.00
STOP ADVANCE INTEREST
>                                    0.00           0.00

ACCRUED SERVICING FEE FOR THE CURRENT PERIOD:
>                               40,309.92      52,715.00

TOTAL SERVICING FEES DUE MASTER SERVICER:
>                               40,309.92      52,715.00

  LESS: COMPENSATING INTEREST
>                                 (510.73)          0.00
  LESS: DELINQUENT SERVICE FEES:
>                               (7,024.77)    (11,270.06)

COLLECTED SERVICING FEES FOR CURRENT PERIOD:
>                               32,774.42      41,444.94

AMOUNTS PAID TO CERTIFICATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i
>i)(4)                               0.00      17,920.19
REIMBURSEMENT AMOUNT
>                                    0.00           0.00

PREMIUM AMOUNT PAID
>                               13,704.87      17,920.19
PER $1,000 OF ORIGINAL AMOUNT
>                              0.13568704     0.13371226

REIMBURSEMENTS TO MASTER SERVICER PURSUANT TO SECT 3.03
>                                    0.00           0.00

INSURED PAYMENTS
>                                    0.00           0.00
PER $1,000 OF ORIGINAL AMOUNT
>                              0.00000000     0.00000000

TOTAL PRINCIPAL COLLECTED
>                              837,601.46   1,344,439.70
TOTAL INTEREST COLLECTED
>                              811,887.40   1,033,644.02

TOTAL AVAILABLE FUNDS FOR DISTRIBUTION
>                            1,649,488.86   2,378,083.72


BASE SPREAD ACCOUNT REQUIREMENT
>                            9,595,000.00  16,750,000.00
SPREAD ACCOUNT BALANCE BEGINNING
>                            9,595,000.00  16,750,000.00
SPREAD ACCOUNT BALANCE ENDING
>                            9,595,000.00  16,750,000.00

NET LIQUIDATION PROCEEDS
>                                    0.00           0.00

OUTSTANDING CLASS INTEREST CARRYOVER SHORTFALL
>                                    0.00           0.00
OUTSTANDING CLASS A PRINCIPAL SHORTFALL AMOUNT
>                                    0.00           0.00


CURRENT NET LOSSES
>                                    0.00           0.00
CUMULATIVE NET LOSSES
>                                    0.00           0.00

CURRENT NONRECOVERABLE ADVANCES
>                                    0.00           0.00
CUMULATIVE NONRECOVERABLE ADVANCES
>                                    0.00           0.00

                                                                Page 4 of 4
>                            (c) COPYRIGHT 1998 Bankers Trust Company






PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          1     28,439,000.00  23,341,679.92     192,275.44   1,138,899.31   1,
>331,174.75           0.00           0.00  22,202,780.61
          2     12,902,000.00  12,902,000.00     106,279.31           0.00
>106,279.31           0.00           0.00  12,902,000.00
          3     13,369,000.00  13,369,000.00     110,126.19           0.00
>110,126.19           0.00           0.00  13,369,000.00
          4     10,191,000.00  10,191,000.00      83,947.64           0.00
> 83,947.64           0.00           0.00  10,191,000.00
          5     12,571,000.00  12,571,000.00     103,552.72           0.00
>103,552.72           0.00           0.00  12,571,000.00
          6     36,512,000.00  27,663,011.27     222,021.34   3,123,052.24   3,
>345,073.58           0.00           0.00  24,539,959.03
          7-1   23,528,000.00  23,528,000.00     193,810.24           0.00
>193,810.24           0.00           0.00  23,528,000.00
          7-2   97,488,000.00  97,488,000.00     782,431.62           0.00
>782,431.62           0.00           0.00  97,488,000.00
          R1             0.00           0.00           0.00           0.00
>      0.00           0.00           0.00           0.00


TOTALS         235,000,000.00 221,053,691.19   1,794,444.50   4,261,951.55   6,
>056,396.05           0.00           0.00 216,791,739.64

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          1       PB9802101       820.763034       6.760978      40.047094
> 46.808072     780.715940      10.590981%      9.565099%
          2       PB9802102     1,000.000000       8.237429       0.000000
>  8.237429   1,000.000000       9.884915%      9.883936%
          3       PB9802103     1,000.000000       8.237429       0.000000
>  8.237429   1,000.000000       9.884915%      9.883936%
          4       PB9802104     1,000.000000       8.237429       0.000000
>  8.237429   1,000.000000       9.884915%      9.883936%
          5       PB9802105     1,000.000000       8.237429       0.000000
>  8.237429   1,000.000000       9.884915%      9.883936%
          6       PB9802106       757.641632       6.080777      85.534954
> 91.615731     672.106678      10.319050%      9.635899%
          7-1     PB9802107     1,000.000000       8.237429       0.000000
>  8.237429   1,000.000000       9.884915%      9.883936%
          7-2     PB9802108     1,000.000000       8.025927       0.000000
>  8.025927   1,000.000000      10.319050%      9.635899%
          R1      PB9802109         0.000000       0.000000       0.000000
>  0.000000       0.000000       0.000000%      0.000000%


SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  December 31, 1998
>                          Irvine, CA 92614
DISTRIBUTION DATE:            January 25, 1999
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 1 of 4
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders

DISTRIBUTIONS IN DOLLARS
                                       PRIOR
>                                                CURRENT
                     ORIGINAL      PRINCIPAL
>                 REALIZED       DEFERRED      PRINCIPAL
     CLASS         FACE VALUE        BALANCE       INTEREST      PRINCIPAL
>     TOTAL         LOSSES       INTEREST        BALANCE

          A1    28,439,000.00  23,341,679.92     103,016.33   1,138,899.31   1,
>241,915.64           0.00           0.00  22,202,780.61
          A2    12,902,000.00  12,902,000.00      66,445.30           0.00
> 66,445.30           0.00           0.00  12,902,000.00
          A3    13,369,000.00  13,369,000.00      69,964.43           0.00
> 69,964.43           0.00           0.00  13,369,000.00
          A4    10,191,000.00  10,191,000.00      53,672.60           0.00
> 53,672.60           0.00           0.00  10,191,000.00
          A5    12,571,000.00  12,571,000.00      68,092.92           0.00
> 68,092.92           0.00           0.00  12,571,000.00
          A6    36,512,000.00  27,663,011.27     102,998.61   3,123,052.24   3,
>226,050.85           0.00           0.00  24,539,959.03
          A-7-1 23,528,000.00  23,528,000.00     106,217.57           0.00
>106,217.57           0.00           0.00  23,528,000.00
          A-7-2 97,488,000.00  97,488,000.00     440,111.31           0.00
>440,111.31           0.00           0.00  97,488,000.00
          X1             0.00           0.00     322,582.40           0.00
>322,582.40           0.00           0.00           0.00
          X2             0.00           0.00     461,343.03           0.00
>461,343.03           0.00           0.00           0.00
          R2             0.00           0.00         197.36           0.00
>    197.36           0.00           0.00           0.00


**This statement is also available on Bankers Trust's Website, http://online.ba
>nkerstrust.com/invr/.
We begin posting statements to the Web at 7:00 p.m. Eastern Time on the busines
>s day before each
distribution date.


TOTALS         235,000,000.00 221,053,691.19   1,794,641.86   4,261,951.55   6,
>056,593.41           0.00           0.00 216,791,739.64

FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
>                           PASS-THROUGH
                                       PRIOR
>                  CURRENT      RATES
                                   PRINCIPAL
>                PRINCIPAL
     CLASS          CUSIP            BALANCE       INTEREST      PRINCIPAL
>     TOTAL        BALANCE        CURRENT           NEXT

          A1      743844BG6       820.763034       3.622361      40.047094
> 43.669455     780.715940       5.674380%      4.989690%
          A2      743844BH4     1,000.000000       5.150000       0.000000
>  5.150000   1,000.000000       6.180000%      6.180000%
          A3      743844BJ0     1,000.000000       5.233333       0.000000
>  5.233333   1,000.000000       6.280000%      6.280000%
          A4      743844BK7     1,000.000000       5.266667       0.000000
>  5.266667   1,000.000000       6.320000%      6.320000%
          A5      743844BL5     1,000.000000       5.416667       0.000000
>  5.416667   1,000.000000       6.500000%      6.500000%
          A6      743844BM3       757.641632       2.820952      85.534954
> 88.355906     672.106678       4.787143%      0.000000%
          A-7-1   743844BN1     1,000.000000       4.514518       0.000000
>  4.514518   1,000.000000       5.804380%      5.119690%
          A-7-2   743844BN1     1,000.000000       4.514518       0.000000
>  4.514518   1,000.000000       5.804380%      5.119690%
          X1      PB9802201         0.000000       1.372691       0.000000
>  1.372691       0.000000       4.036372%      3.928149%
          X2      PB9802202         0.000000       1.963162       0.000000
>  1.963162       0.000000       4.423549%      5.409447%
          R2      PB9802203         0.000000       0.000840       0.000000
>  0.000840       0.000000       0.000000%      0.000000%


SELLER:                       Provident Bank                               ADMI
>NISTRATOR:                  Alan Sueda
SERVICER:                     Provident Bank
>                          Bankers Trust Company
LEAD UNDERWRITER:             Lehman Brothers
>                           3 Park Plaza
RECORD DATE:                  December 31, 1998
>                          Irvine, CA 92614
DISTRIBUTION DATE:            January 25, 1999
>        FACTOR INFORMATION(800) 735-7777
                                                                Page 2 of 4
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders


Distribution Date:            January 25, 1999

DELINQUENT AND
>                LOANS          LOANS          LOANS
FORECLOSURE LOAN                                30 TO 59       60 TO 89
>90 PLUS          IN             IN             IN
INFORMATION                                       DAYS           DAYS
> DAYS        FORECLOSURE        REO        BANKRUPTCY
   GROUP 1     PRINCIPAL BALANCE               1,170,971.05     572,349.19   1,
>611,135.52   1,470,413.05           0.00     902,098.44
PERCENTAGE OF POOL BALANCE                           1.2356%        0.6040%
>    1.7001%        1.5516%        0.0000%        0.9519%
NUMBER OF LOANS                                          19              7
>        23             20              0             11
PERCENTAGE OF LOANS                                  1.2925%        0.4762%
>    1.5646%        1.3605%        0.0000%        0.7483%
   GROUP 2     PRINCIPAL BALANCE               2,641,854.50     625,312.77   2,
>210,589.05   1,872,027.12           0.00     616,480.63
PERCENTAGE OF POOL BALANCE                           2.1646%        0.5123%
>    1.8112%        1.5338%        0.0000%        0.5051%
NUMBER OF LOANS                                          22              8
>        28             23              0              9
PERCENTAGE OF LOANS                                  1.7628%        0.6410%
>    2.2436%        1.8429%        0.0000%        0.7212%
Note:  Quantity and Principal Balance of Foreclosures, Bankruptcies, & REOs are
> Included in the Delinquency Figures.


>                              GROUP 1        GROUP 2

BOOK VALUE OF LOANS IN REO:
>                                    0.00           0.00

NUMBER OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUENT
>                                       6              4
PRINCIPAL BALANCE OF LOANS IN BANKRUPTCY PROCEEDINGS LESS THAN 30 DAYS DELINQUE
>NT                            535,361.81     228,558.95

WEIGHTED AVERAGE MORTGAGE INTEREST RATE:
>                               10.564915%     10.311113%

WEIGHTED AVERAGE REMAINING TERM TO MATURITY
>                                     254            353

PRIOR NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                   1,490          1,278
CURRENT NUMBER OF MORTGAGE LOANS INCLUDED IN THE POOL
>                                   1,470          1,248

PRIOR AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           95,906,211.09 125,171,554.82

CURRENT AGGREGATE PRINCIPAL BALANCE OF THE MORTGAGE LOANS
>                           94,767,311.78 122,048,502.58
POOL FACTOR OF LOAN GROUPS
>                               93.825741%     91.067011%

NUMBER OF LOANS SUBJECT TO PRINCIPAL PREPAYMENTS
>                                      20             30


               SCHEDULE PRINCIPAL RECEIVED
>                              104,074.39      57,719.99
               PREPAYMENTS IN FULL
>                            1,034,825.20   3,065,332.39
               CURTAILMENTS
>                                   (0.28)         (0.14)
               LIQUIDATIONS
>                                    0.00           0.00
               INSURANCE PRINCIPAL PROCEEDS
>                                    0.00           0.00
               REPURCHASED PRINCIPAL AMOUNTS
>                                    0.00           0.00


TOTAL PRINCIPAL RECEIVED:
>                            1,138,899.31   3,123,052.24

SERVICER ADVANCES:
>                              162,858.54     241,903.84

CUM NET FUNDS CAP CARRYOVER AMOUNT WITH RESPECT TO A-6 CERTIFICATES
>                                                   0.00
3 MONTH ROLLING AVERAGE OF PRINCIPAL BALANCE OF ALL LOANS 90 OR MORE DELINQUENT
>                                           2,858,862.11
                                                                Page 3 of 4
>                            (c) COPYRIGHT 1999 Bankers Trust Company
PROVIDENT BANK
HOME EQUITY LOAN TRUST
 SERIES 1998-2

Statement  To  Certificateholders


Distribution Date:            January 25, 1999


>                              GROUP 1        GROUP 2

SCHEDULED INTEREST
>                              844,367.49   1,075,548.38
LIQUIDATION INTEREST
>                                    0.00           0.00
REPURCHASE INTEREST
>                                    0.00           0.00
STOP ADVANCE INTEREST
>                                    0.00           0.00

ACCRUED SERVICING FEE FOR THE CURRENT PERIOD:
>                               39,960.92      52,154.81

TOTAL SERVICING FEES DUE MASTER SERVICER:
>                               39,960.92      52,154.81

  LESS: COMPENSATING INTEREST
>                                 (134.62)       (874.30)
  LESS: DELINQUENT SERVICE FEES:
>                               (7,737.63)    (11,800.47)

COLLECTED SERVICING FEES FOR CURRENT PERIOD:
>                               32,088.67      39,480.04

AMOUNTS PAID TO CERTIFICATE INSURER PURSUANT SECT 5.01 (a)(i)(4) AND 5.01 (a)(i
>i)(4)                               0.00      17,729.73
REIMBURSEMENT AMOUNT
>                                    0.00           0.00

PREMIUM AMOUNT PAID
>                               13,586.21      17,729.73
PER $1,000 OF ORIGINAL AMOUNT
>                              0.13451223     0.13229114

REIMBURSEMENTS TO MASTER SERVICER PURSUANT TO SECT 3.03
>                                    0.00           0.00

INSURED PAYMENTS
>                                    0.00           0.00
PER $1,000 OF ORIGINAL AMOUNT
>                              0.00000000     0.00000000

TOTAL PRINCIPAL COLLECTED
>                            1,138,899.31   3,123,052.24
TOTAL INTEREST COLLECTED
>                              804,406.56   1,023,393.56

TOTAL AVAILABLE FUNDS FOR DISTRIBUTION
>                            1,943,305.87   4,146,445.80


BASE SPREAD ACCOUNT REQUIREMENT
>                            9,595,000.00  16,750,000.00
SPREAD ACCOUNT BALANCE BEGINNING
>                            9,595,000.00  16,750,000.00
SPREAD ACCOUNT BALANCE ENDING
>                            9,595,000.00  16,750,000.00

NET LIQUIDATION PROCEEDS
>                                    0.00           0.00

OUTSTANDING CLASS INTEREST CARRYOVER SHORTFALL
>                                    0.00           0.00
OUTSTANDING CLASS A PRINCIPAL SHORTFALL AMOUNT
>                                    0.00           0.00


CURRENT NET LOSSES
>                                    0.00           0.00
CUMULATIVE NET LOSSES
>                                    0.00           0.00

CURRENT NONRECOVERABLE ADVANCES
>                                    0.00           0.00
CUMULATIVE NONRECOVERABLE ADVANCES
>                                    0.00           0.00

                                                                Page 4 of 4
>                            (c) COPYRIGHT 1999 Bankers Trust Company




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